Heavy-tailed distributions and robustness in economics and finance / Marat Ibragimov, Rustam Ibragimov, Johan Walden
| Heavy-tailed distributions and robustness in economics and finance / Marat Ibragimov, Rustam Ibragimov, Johan Walden |
| Autore | Ibragimov, Marat |
| Pubbl/distr/stampa | [Cham], : Springer, 2015 |
| Descrizione fisica | XIV, 119 p. : ill. ; 24 cm |
| Altri autori (Persone) |
Ibragimov, Rustan
Walden, Johan |
| Soggetto topico |
91B05 - Risk models (general) [MSC 2020]
62-XX - Statistics [MSC 2020] 91B24 - Microeconomic theory (price theory and economic markets) [MSC 2020] 91-XX - Game theory, economics, finance, and other social and behavioral sciences [MSC 2020] 62P20 - Applications of statistics to economics [MSC 2020] 91G70 - Statistical methods; risk measures [MSC 2020] 62G32 - Statistics of extreme values; tail inference [MSC 2020] 62G35 - Nonparametric robustness [MSC 2020] |
| Soggetto non controllato |
Diversification
Econometrics Financial markets Heavy-Tailed distribution Insurance markets Risk management |
| Formato | Materiale a stampa |
| Livello bibliografico | Monografia |
| Lingua di pubblicazione | eng |
| Titolo uniforme | |
| Record Nr. | UNICAMPANIA-VAN0113456 |
Ibragimov, Marat
|
||
| [Cham], : Springer, 2015 | ||
| Lo trovi qui: Univ. Vanvitelli | ||
| ||
Heavy-tailed distributions and robustness in economics and finance / Marat Ibragimov, Rustam Ibragimov, Johan Walden
| Heavy-tailed distributions and robustness in economics and finance / Marat Ibragimov, Rustam Ibragimov, Johan Walden |
| Autore | Ibragimov, Marat |
| Pubbl/distr/stampa | [Cham], : Springer, 2015 |
| Descrizione fisica | XIV, 119 p. : ill. ; 24 cm |
| Altri autori (Persone) |
Ibragimov, Rustan
Walden, Johan |
| Soggetto topico |
62-XX - Statistics [MSC 2020]
62G32 - Statistics of extreme values; tail inference [MSC 2020] 62G35 - Nonparametric robustness [MSC 2020] 62P20 - Applications of statistics to economics [MSC 2020] 91-XX - Game theory, economics, finance, and other social and behavioral sciences [MSC 2020] 91B05 - Risk models (general) [MSC 2020] 91B24 - Microeconomic theory (price theory and economic markets) [MSC 2020] 91G70 - Statistical methods; risk measures [MSC 2020] |
| Soggetto non controllato |
Diversification
Econometrics Financial markets Heavy-Tailed distribution Insurance markets Risk management |
| Formato | Materiale a stampa |
| Livello bibliografico | Monografia |
| Lingua di pubblicazione | eng |
| Titolo uniforme | |
| Record Nr. | UNICAMPANIA-VAN00113456 |
Ibragimov, Marat
|
||
| [Cham], : Springer, 2015 | ||
| Lo trovi qui: Univ. Vanvitelli | ||
| ||
Heavy-tailed distributions and robustness in economics and finance / Marat Ibragimov, Rustam Ibragimov, Johan Walden
| Heavy-tailed distributions and robustness in economics and finance / Marat Ibragimov, Rustam Ibragimov, Johan Walden |
| Autore | Ibragimov, Marat |
| Edizione | [[Cham] : Springer, 2015] |
| Pubbl/distr/stampa | XIV, 119 p., : ill. ; 24 cm |
| Descrizione fisica | Pubblicazione in formato elettronico |
| Altri autori (Persone) |
Ibragimov, Rustan
Walden, Johan |
| Soggetto topico |
91B05 - Risk models (general) [MSC 2020]
62-XX - Statistics [MSC 2020] 91B24 - Microeconomic theory (price theory and economic markets) [MSC 2020] 91-XX - Game theory, economics, finance, and other social and behavioral sciences [MSC 2020] 62P20 - Applications of statistics to economics [MSC 2020] 91G70 - Statistical methods; risk measures [MSC 2020] 62G32 - Statistics of extreme values; tail inference [MSC 2020] 62G35 - Nonparametric robustness [MSC 2020] |
| Formato | Materiale a stampa |
| Livello bibliografico | Monografia |
| Lingua di pubblicazione | eng |
| Record Nr. | UNICAMPANIA-SUN0113456 |
Ibragimov, Marat
|
||
| XIV, 119 p., : ill. ; 24 cm | ||
| Lo trovi qui: Univ. Vanvitelli | ||
| ||